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Portfolio efficiency and discount factor bounds with conditioning information: An empirical study

JOURNAL ARTICLE published February 2007 in Journal of Banking & Finance

Authors: Abhay Abhyankar | Devraj Basu | Alexander Stremme

Adverse selection costs, trading activity and price discovery in the NYSE: An empirical analysis

JOURNAL ARTICLE published January 2004 in Journal of Banking & Finance

Authors: Roberto Pascual | Alvaro Escribano | Mikel Tapia

A continuous-time model to determine the intervention policy for PBGC

JOURNAL ARTICLE published August 1997 in Journal of Banking & Finance

Authors: Raman Kalra | Gautam Jain

Overreaction in the thrift IPO aftermarket

JOURNAL ARTICLE published July 2009 in Journal of Banking & Finance

Authors: Geoffrey C. Friesen | Christopher Swift

Reserve regulation and recourse as a source of risk premia in the federal funds market

JOURNAL ARTICLE published December 1988 in Journal of Banking & Finance

Authors: W.Brian Barrett | Myron B. Slovin | Marie E. Sushka

The impact of standby letters of credit on bank risk: A note

JOURNAL ARTICLE published December 1992 in Journal of Banking & Finance

Authors: Elijah Brewer | G.D. Koppenhaver

Detecting time-variation in corporate bond index returns: A smooth transition regression model

JOURNAL ARTICLE published January 2011 in Journal of Banking & Finance

Authors: XiaoHua Chen | Dietmar Maringer

Interest rate risk in the banking book: A closed-form solution for non-maturity deposits

JOURNAL ARTICLE published April 2021 in Journal of Banking & Finance

Authors: Andreas Blöchlinger

Economies of scale in UK building societies: A re-appraisal using an entry/exit model

JOURNAL ARTICLE published January 2002 in Journal of Banking & Finance

Authors: Leigh Drake | Richard Simper

Nominal and true cost of loan collateral

JOURNAL ARTICLE published October 2011 in Journal of Banking & Finance

Authors: J.-P. Niinimäki

Pricing deposit insurance when the insurer measures bank risk with error

JOURNAL ARTICLE published September 1991 in Journal of Banking & Finance

Authors: M Flannery

Measuring performance in a dynamic world: Conditional mean–variance fundamentals

JOURNAL ARTICLE published October 2009 in Journal of Banking & Finance

Authors: Ranjini Jha | Bob Korkie | Harry J. Turtle

Corporate partial acquisitions, total firm valuation and the effect of financing method

JOURNAL ARTICLE published April 1995 in Journal of Banking & Finance

Authors: Sudip Datta | Mai E. Iskandar-Datta

Effective fair pricing of international mutual funds

JOURNAL ARTICLE published November 2008 in Journal of Banking & Finance

Authors: Choong Tze Chua | Sandy Lai | Yangru Wu

Discussion of “Equity trading by institutional investors: Evidence on order submission strategies” by Næs and Skjeltorp

JOURNAL ARTICLE published September 2003 in Journal of Banking & Finance

Authors: Pankaj Jain

Capital requirements, loan renegotiation and the borrower's choice of financing source

JOURNAL ARTICLE published June 1995 in Journal of Banking & Finance

Authors: Anjan V. Thakor | Patricia Furlong Wilson

Does the deposit channel of monetary policy work in a high-interest rate environment?

JOURNAL ARTICLE published December 2022 in Journal of Banking & Finance

Authors: Alex Nery Caetité | Almir Ferreira de Sousa | José Roberto Ferreira Savoia | Wadico Waldir Bucchi | Fabio Gallo Garcia

Editorial Board

JOURNAL ARTICLE published January 2013 in Journal of Banking & Finance

Capital budgeting under conditions of uncertainty

JOURNAL ARTICLE published September 1981 in Journal of Banking & Finance

Authors: Harold Bierman

Financial intermediation in the theory of the risk-free rate

JOURNAL ARTICLE published July 2011 in Journal of Banking & Finance

Authors: François Marini